given today's institutions, modern money theory concludes that monetary policy is much more effective as a macroeconomic tool than fiscal policy.

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Answer 1

The major conclusion is that current monetary policy has been more stabilizing, both in terms of how it has responded to shocks and in terms of excluding non-fundamental changes.

Is the Modern Monetary Theory currently embraced by most economists?

Because interest rates are so low and are anticipated to stay that way for the foreseeable future, the MMT promise of free funding for deficits has come close to becoming true. Now, more people agree with their theory that inflation results from running the economy "too hot" rather than from excessive money creation.

What distinguishes monetary policy from fiscal policy?

The term "monetary policy" refers to the actions taken by the central bank to control the amount of credit and money in an economy. In contrast, fiscal policy refers to the choices made by the government on taxation and spending.

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if the unit price of inventory is increasing during a period, a company using the lifo inventory method will show less gross profit for the period, than if it had used the fifo inventory method.

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If the unit price of inventory is increasing during a period, a company using the LIFO inventory method will show less gross profit for the period, than if it had used the FIFO inventory method. An error that overstates the ending inventory will also cause net income for the period to be overstated.

FIFO and LIFO accounting are strategies used in coping with stock and financial matters regarding the amount of cash a agency has to have tied up within stock of produced goods, uncooked substances, components, additives, or feedstocks. they may be used to manipulate assumptions of prices associated with stock, stock repurchases (if bought at distinctive expenses), and diverse different accounting functions. the following equation is beneficial while determining inventory costing strategies.

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Which of the following statements are examples of unstructured or strategic level decisions? (Check all that apply.)
Check All That Apply
Reordering inventoryReordering inventory
Deciding to enter a new marketDeciding to enter a new market
Creating the employee weekly staffing scheduleCreating the employee weekly staffing schedule
Creating the employee weekly production scheduleCreating the employee weekly production schedule
Deciding to enter a new industry over the next three yearsDeciding to enter a new industry over the next three years
Choosing to eliminate an entire product lineChoosing to eliminate an entire product line
Determining payroll issuesDetermining payroll issues

Answers

The following statements are examples of unstructured or strategic level decisions:

Reordering inventoryCreating the employee weekly staffing scheduleCreating the employee weekly production scheduleDetermining payroll issues

Why are the above instances or strategic level decision?

The above are instances or strategic level decision because they depict a decision that demand restructuring, hence, those decision. Reordering inventory implies that the inventory was initially disorderedly presented. Creating the employee weekly staffing schedule implies that everyone was initially attending to wherever that came his way but a scheduled production is needed.

The third option, Creating the employee weekly production schedule means that the decision if production was initially done haphazardly which demand creating another. Payroll issues means it was not initially structured which demand a restructuring.

Therefore, the correct answer is as given above

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the two distinctly different types of franchise systems are_____ franchise and______ franchise.

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The two distinctly different types of franchise systems are product trademark franchise and business format franchise.

Give a brief account on Franchise systems.

A franchise (or franchising) is a method of selling goods or services that includes a franchisor who develops the brand's trade name and business model and a franchisee who pays a royalty and frequently an upfront fee to use the franchisor's name and system. The "franchise," though technically the agreement that binds the two parties, most frequently refers to the enterprise that the franchisee runs. The term "franchising" most frequently refers to the process of developing and disseminating a brand and franchise system.

Franchise connections can be divided into two categories. The most recognizable variety is business format franchising. In a franchise, the franchisor provides the franchisee not only with access to its name, products, and services, but also with a complete system for managing the firm. Typically, the franchisor will assist the franchisee with site selection and development, operating manuals, training, brand standards, quality control, a marketing strategy, and business consulting help. Despite being less commonly associated with franchising, traditional or product distribution franchising generates more revenue overall than business model franchising.

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the following is a partial trial balance for the green star corporation as of december 31, 2024: account title debits credits sales revenue $ 1,300,000 interest revenue 33,000 gain on sale of investments 53,000 cost of goods sold $ 720,000 selling expenses 175,000 general and administrative expenses 78,000 interest expense 43,000 income tax expense 133,000 required: prepare a single-step income stat 1. Prepare a single-step income statement for 2024, including EPS disclosures 2. Prepare a multiple-step income statement for 2024, including EPS disclosures Complete this question by entering your answers in the tabs below. Required 1 Required 2 Pracare a single-step income statement for 202. Including EPS disclosures. Round ERS answer to z decimalla

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a)To see the table of Preparation of a single-step income statement

b) To see the table of Preparation of a multi-step income statement

EPS Disclosure:

EPS disclosure refers to a requirement of a business entity to furnish the amount it is generating on each stock it has issued. If an entity discontinues its operation, a distinct disclosure is required for the same.

(1): Preparation of a single-step income statement:

Particulars                                 Amount ($)                         Amount ($)

Sales revenue                          $1,300,000

Interest revenue                          $33,000

Gain on sale of investments          $53,000

Total revenue and gains                                          $1,386,000

Deduct: Expenses and losses:  

Cost of goods sold                   $720,000

Selling expenses                            $175,000

General and administrative expenses $78,000

Interest expense                               $43,000

Income tax expense                      $133,000

Total expenses and losses                                        $(1,149,000)

Net income                                                                 $237,000

EPS ($237,000/100,000)                                        $2.37

(2): Preparation of a multi-step income statement:

Particulars                                        Amount ($)                  Amount ($)

Sales revenue                                                                $1,300,000

Deduct: Cost of goods sold                                                $(720,000)

Gross profit                                                                         $580,000

Deduct: Operating expenses:  

Selling expenses                                $175,000

General and administrative expenses $78,000

Total operating expenses                                                  $(253,000)

Operating income                                                                   $327,000

Other income/expenses:  

Interest revenue                                 $33,000  

Gain on sale of investments               $53,000

Interest expense                              $(43,000)

Total other income/expenses                                         $43,000

Income before income tax                                                 $370,000

Deduct: Income tax                                                        $(133,000)

Net income                                                                        $237,000

EPS ($237,000/100,000)                                                $2.37

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temporary current assets are those current assets that are kept on hand when sales are at their low point, but this term is relevant only for firms whose sales fluctuate on a seasonal basis.

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Temporary current assets are those current assets that are kept on hand when sales are at their low point, but this term is relevant only for firms whose sales fluctuate on a seasonal basis. FALSE

A current asset is any asset that can moderately be anticipated to be offered, consumed, or exhausted thru the everyday operations of a business in the modern-day monetary 12 months or working cycle or financial year.

Present day belongings include coins, coins equivalents, bills receivable, stock inventory, marketable securities, pre-paid liabilities, and different liquid assets. The modern-day property account is critical because it demonstrates a corporation's brief-term liquidity and capacity to pay its short-term responsibilities.

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maria, who owns a 50% interest in a restaurant, has been a material participant in the restaurant activity for the last 20 years. she retired from the restaurant at the end of last year and will not participate in the restaurant activity in the future. however, she continues to be a material participant in a retail store in which she is a 50% partner. the restaurant operations produce a loss for the current year, and maria's share of the loss is $80,000. her share of the income from the retail store is $150,000. she does not own interests in any other activities.

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Maria might compare the $150,000 in revenue from the retail store versus the $80,000 loss.

Maria has worked for the restaurant company for more than 5 years as of the present. She participates actively as a result. She can therefore use the $150,000 in revenue from the retail business to offset her active loss in her active activity, which is the restaurant.

Customers of retail enterprises purchase goods or services for their own use, enjoyment, or consumption. However, some products may be sold online as well as over the phone as well as then shipped to the consumer. They typically sell goods and services in person.

A retail business sells goods and services to customers in modest quantities, either in-person or online. Main types of retail include grocery, clothes, and medicine stores.

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you are recalculating the risk of a specific stock in relation to the market index, and you find that the ratio of the systematic variance to the total variance has fallen. you must also find that the .

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You are re-calculating the risk of a specific stock in re-lation to the market index, and you find that the ratio of the system-atic variance to the total variance has fallen. You must also find that the cor-relation coefficient bet-ween the specific stock and the mark-et has risen.

What Is a Market Index?

A mark-et index is a hypothetical port-folio of investment holdings that represents a seg-ment of the financial market. The calculation of the index va-lue comes from the prices of the under-lying holdings. Some ind-exes have values bas-ed on market-cap weight-ing, revenue-weighting, float-weighting, and fund-amental-weighting. Weighting is a method of adjust-ing the indivi-dual impact of ite-ms in an index.

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in san diego, 150 people are willing to work an hour as secretaries if the wage is $20 per hour. for each additional $5 that the wage rises above $20, an additional 50 people are willing to work an hour as secretaries. for wages of $20, $25, $30, $35, and $40 per hour, use the orange points (square symbol) to plot the daily labor supply curve for secretaries on the following graph. supply 0 50 100 150 200 250 300 350 400 450 500 50 45 40 35 30 25 20 15 10 5 0 wage (dollars per hour) labor (number of workers) continue without saving

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The opportunity cost of leisure decreases when wages fall. In reaction to shifts in pay rates, the cost of recreation varies. Every increase or decrease in price has two effects.

The replacement effect contends that when wages grow, the expense of leisure time increases, leading to longer workdays. The income effect: As money rises, fewer people work because they have more leisure time.

In other words, an upward sloping labor supply curve represents a situation where the income benefit is outweighed by the substitution impact of rising salaries. The link between the cost of an item or service and the volume delivered over a certain period of time is represented visually by the supply curve.

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jonathan a single taxpayer changed jobs in 2021 when he left his first job, he decided to take a total distribution from the 401(k)

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Your tax codes might not be accurate if you switch jobs or take on more work. Your tax-free personal allowance may be received more than once, resulting in underpayment of taxes, or your tax payment may be excessive.

You can give this Form 12B to the new employer when you're at your new place of employment. Form 12B contains all the necessary details, including your salary, the tax withheld from it, the professional tax paid on your received, and the PAN and TAN of your employers. The form's primary use is to provide information payment the person's income from their prior employer.

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trenton publishing follows a strict residual dividend policy. all else being equal, which of the following factors would be most likely to lead to an increase in the firm's dividend per share ,dividend per share?
a. The firm's net profit margin increases b. Proportion of equity financing is expected to decrease c. Earnings are unchanged, but the firm issues more new shares of debts (bonds). d. The number of profitable potential projects increases e. The government reduces the individuals' income tax rate from cash dividends income. The remainder of the tax code is not changed.

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Factors would be most likely to lead to an increase in the firm's dividend per share, dividend per share The number of profitable potential projects increases.

Potential Project is a international consulting and expert offerings company that companions with companies to create a extra human global of paintings. We do that via way of means of assisting leaders and groups to recognize and manipulate their minds that's wherein all capability for wonderful matters begins.

Potential Project app is the partner of your adventure closer to extra focus, wellness and compassion for your every day life. If you're suffering with reaching effectiveness at paintings and feature issue focusing - or are aiming to sense much less confused or emotionally depleted - this app is designed to assist you.\

There are numerous powerful techniques of figuring out capability projects. Five of the maximum famous reassets include: carrying out cost circulation analyses (VSAs) to perceive waste, responding to patron feedback, furthering a strategic or operational plan, reading overall performance metrics, and responding to worker suggestions.

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Collusion happens when suppliers come together to fix prices and output in order to manipulate the marketplace. This activity is perfectly legal in the United States.
true or false

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Collusion is an act of suppliers coming together fixing prices and output in order to manipulate the marketplace. This activity is legal in the United States. This statement is false.

Collusion is defined as a practice of conspiracy or illegal formal or informal agreement between corporations, suppliers, or manufacturers to manipulate their customers either by controlling output or fixing prices of certain goods and services in order to increase their profits. Collusion is an illegal act in the United States and will result in criminal prosecution by the United States Department of Justice under the antitrust law.

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expansionary monetary policy involves an increase in the money supply and a fall in interest rates, leading to a positive expansion in income.

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True. Expansionary monetary policy is designed to stimulate economic growth by increasing the money supply and reducing interest rates. This increases:

The availability of money in the economy.Lowering borrowing costsEncouraging investmentConsumptionEconomic growth

This in turn leads to a positive expansion in income.

What is Expansive Monetary Policy?

Is a type of economic policy that involves manipulating the money supply in order to increase aggregate demand, boost economic growth, and reduce unemployment.

This type of policy is typically implemented by a central bank such as the Federal Reserve in the United States. It is usually done by lowering interest rates, expanding the money supply, and purchasing government securities.

These actions are designed to stimulate the economy by increasing borrowing, spending, and investing.

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Which of the following is the value of a country's external wealth at the end of 2016 if its external wealth was –$1 billion at the end of 2015 and its trade balance was $500 million in 2016? Assume the world interest rate is 10% per annum.
A) –$1.5 billion B) –$1.6 billion C) –$0.6 billion D) –$0.4 billion
Please show your work. Thanks

Answers

B) –$1.6 billion

The value of a country's international investment position at the end of 2016 can be calculated by considering the international investment position at the end of 2015, the trade balance in 2016 and the interest rate at the end of 2015 on the international investment position. The calculation is made by adding the end-2015 international investment position to the 2016 trade balance and the interest rate of the end-2015 international investment position. In this case, the value of overseas assets at the end of 2015 was minus $1 billion, the trade balance in 2016 was $500 million, and the global interest rate was 10% per annum. Therefore, the value of the country's external assets at the end of 2016 is -1.6 billion USD.

Calculation:

2016 year-end foreign assets = 2015 year-end foreign assets + 2016 trade balance + 2015 year-end foreign assets interest

= -$1 billion + $500 million + (-$1 billion * annual rate 10%)

= -$1.6 billion

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FILL IN THE BLANK. one method of transferring risk outside the business is___, through forward/futures contracts for commodities or farm inputs. group of answer choices

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One method of transferring risk outside the business is Hedging, through forward/futures contracts for commodities or farm inputs.

Hedging is referred to as the method by which risks are reduced in the business. This method of risk limiting uses certain techniques and strategies in order to limit the risks occurring in any business. For example, If any investor invests any money to one business, he tries to make profit from that business by limiting the risks of loss and investing in any other business so that if any loss occurs in the first business, the profit from second business covers that loss. This method is known as Hedging of Risk. Purchasing insurances on business is another method of reducing or limiting the risk and it comes under Hedging.

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Energy return on investment (EROI) is a method for evaluating the feasibility of developing an energy source. (The amount of energy produced by the source must be larger than the amount of energy used to obtain and use the source.) Which one of the following is typical for the EROI for a source?
Multiple Choice
New fossil fuel sources generally have a lower EROI than older ones.
Most renewable sources have a higher EROI than fossil fuel sources.
Ethanol from corn or sugar cane has a high EROI.
Hydroelectricity has a low EROI.New fossil fuel sources generally have a lower EROI than older ones.

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New fossil fuel sources generally have a lower EROI than older ones. Energy generated in relation to the energy consumed to create it is measured using the Energy Return on Investment (EROI) ratio.

The ratio, for instance, would show how much energy is used on finding, extracting, transporting, and refining crude oil in comparison to the amount of usable energy produced. Energy sources that can be accessed relatively inexpensively will allow the price to remain low, hence the energy return on investment (EROI) is a major factor in determining the cost of energy. EROI is crucial because an energy plant is not economically feasible if its costs exceed its earnings from selling power. Organizations and governments may assess the profitability of various energy sources, such as nuclear vs. solar electricity, with the aid of EROI.

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capacity requirements are computed by multiplying the number of units scheduled for production at a work center by the: group of answer choices the unit resource requirements and then adding in the setup time. the setup time and then subtracting the unit resource requirements. the setup time and then adding in the unit resource requirements. the unit resource requirements and then subtracting the setup time.

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Capacity requirements are computed by multiplying the number of units scheduled for production at a work center by the unit resource requirements and then adding in the setup time.

To determine the resources required to carry out the project's work, the project manager defines resource needs. To specify a resource demand, carry out the below procedures. One or more jobs should be added to the work breakdown structure.

Resource management done right may help your business save money, increase production, and increase efficiency. By reprioritizing projects or resources, you may usually mitigate risk by seeing possible resource conflicts early on for more effective mitigation.

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Some economists argue that a rise in the interest rate, brought about by a rise in government borrowing in the loanable funds market to finance the deficit, brings in foreign funds in search of the higher interest rate return. This, in turn, dampens the rise in the interest rate. If this is true as far as it goes, there will be __________ crowding out than there would be if foreign funds did not flow into the country.more if there is also change in taxesmorethe same amount ofless if there is also change in taxesless

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If this is true as far as it goes, there will be less crowding out than there would be if foreign funds did not flow into the country.

Interest rates are a key factor in determining the flow of capital between countries. If interest rate in one country is higher than in another, investors will be attracted to  higher rate and may choose to invest their capital in that country. This can lead to an inflow of foreign funds into the country with higher rate, which can help to offset the impact of government borrowing on domestic interest rates.

The availability of investment opportunities and the perceived risk of investing in a country can also influence the flow of foreign capital. Foreign capital enters the market in search of a better interest rate return when interest rates rise due to increased government borrowing on the loanable funds market to finance the deficit. In turn, this tempers the interest rate increase. If this is true, there won't be as much crowding out as there would be without the inflow of foreign money. more if taxes are also changed. If taxes are changed, the amount will remain the same.

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the institute of real estate management (irem) awards which of the following designations? group of answer choices a.CPM b. RPA c. REM d. MAI

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The following distinctions are given by that of the Academy of Real Property Management (IREM) within the CPM category.

What does a title in official use mean?

A worded designation signed by such an Investor of Record of either a Fund, either in that Investor's initial application for such purchase of Shares, with or without a Classic Assurance, or in a separate manuscript with a Signature Guarantee, is referred to as being "Officially Designated" or "Officially Designated."

What must be completed for the job designation?

Having a job designation shows that an individual has achieved a level of proficiency in their area on the professional level. These titles are obtained by professional associations, institutions of higher learning, or other reputable organizations.

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a fire completely destroyed a warehouse owned by della company and used for nine years in its shipping business. della's adjusted basis in the warehouse was $748,200, and its replacement value was $1 million. unfortunately, the warehouse was uninsured. as a result of the destruction, della recognizes:

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If a warehouse owned by Della Company and used for nine years in its shipping business was destroyed by fire and was uninsured, Della would recognize a loss on the destruction of the warehouse.

The loss would be equal to the difference between the adjusted basis of the warehouse (which is $748,200) and its replacement value (which is $1 million). Therefore, Della would recognize a loss of $251,800 ($1 million - $748,200) as a result of the destruction of the warehouse. It's worth noting that this loss may be tax-deductible, depending on the circumstances of the destruction and Della's tax situation. Della should consult with a tax professional or refer to relevant tax laws to determine whether the loss is tax-deductible.

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an application to register securities may be filed by all of the following except a(n): a broker-dealer b agent c issuer d person on whose behalf the offering is to be made

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Option  B is correct, Agent cannot file an application to register securities, whereas the other three are eligible for filing the same.

This security is either security whose transfer is prohibited or whose owner is tracked by the issuer. When ownership of a security is registered with the issuing corporation or their agent, the security is known by this name.

The sale of a fresh issuance of securities covered by an effective registration statement that was submitted by the issuer in a State has already begun. Only the Issuer, the Broker Dealer, and the person for whose benefit the offering is being made may submit an application to register securities.

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moss company selected balance sheet information at december 31 2020 2019 current assets cash $ 94,650 $ 36,800 accounts receivable 35,000 52,000 inventory 70,000 56,100 current liabilities accounts payable 50,400 35,700 income taxes payable 3,050 4,200 moss company income statement for year ended december 31, 2020 sales $ 584,000 cost of goods sold 371,600 gross profit 212,400 operating expenses (excluding depreciation) 132,000 depreciation expense 56,000 income before taxes 24,400 income taxes expense 13,300 net income $ 11,100 Use the information above to calculate this company's cash flows from operating activities using the indirect method. (Amounts to be deducted should be indicated by a minus sign.)

Answers

The indirect approach yields a cash flow from operational operations for this business of $38,850.

A company's net cash flow from operational activities shows how much more money is flowing into or out of its operations. This covers any adjustments to non-cash items as well as changes to net income.

Operational activity cash flows.

Adjustments to balance operating cash flow and net income = 11,100

From operating activities          

Depreciation expense = 11,100  

Decrease in accounts receivable (52000 - 35000) = 17000  

Increase in inventory (56100 - 70000) = -13900  

Increase in accounts payable (50400 - 35,700) = 14700  

Decrease in income taxes payable (3,050 - 4200) = -1150       27,750

Net cash flow from operating activities = 38,850

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In calculating cost per equivalent unit under the weighted-average method, prior period costs are not combined with current period costs. True False.

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The correct answer is False. The weighted-average technique does not add prior period costs to current period costs when determining cost per equivalent unit.

The weighted-average technique does not add prior period costs to current period costs when determining cost per equivalent unit. When calculating unit costs, the weighted-average method of process costing averages costs from the previous and current periods.

When applying the weighted average approach, you compute the weighted-average cost per unit by dividing the cost of the goods that are on the market by the quantity of units that are for sale. The cost of products available for sale in this calculation is equal to the sum of beginning inventory and net purchases.

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Shaky Bicycles. Rhonda, an incorporator who filed the articles of incorporation for ABC Corporation, a corporation set up to sell bicycles, listed the correct town and street but incorrectly put the wrong street number in the document. Helen, a manufacturer of bicycle parts, had sold a number of parts to ABC Corporation. Unfortunately, the corporation was not making any profit, and Helen was not paid in a timely manner. Rhonda told her that the corporation was not liable because it was not validly formed due to the address mistake. Bernice, another creditor of ABC Corporation, also claimed that a shareholder of Shaky Bicycles, Slick, was personally liable to her. Bernice alleged that Slick committed fraud against her when he told her that ABC Corporation was making large amounts of money, that if she would only lend $50,000 to the corporation he would marry her, and that the corporation would make so much money that she would be wealthy in six months. She made the loan, but the corporation has been unable to repay her. Slick told her that he is sorry, but that her only avenue of recovery is through the corporation. Which of the following is the likely result of Helen's attempt to hold the corporation liable for her debt?
She will likely be successful.

Answers

The likely outcome of Helen's attempt to hold the corporation liable for her debt was that the business was a corporation by estoppel.

In this particular instance, shaky bicycles is acting as a corporation by the debt estoppel and conducting business in a way that directly defrauds Helen. As Helen lent money to the organization, it is their obligation to repay that money, not Helen's, so she bears no personal liability.

Debt is when one party borrows something—typically money—from another. Many businesses and individuals turn to debt in order to finance major expenditures that they would not otherwise be able to make. With the understanding that it must be paid back, a debt arrangement permits the borrowing on the side of one party.

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if zinc suppliers are successful in forming an international cartel, then they will experience: g

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If zinc suppliers are successful in forming an international cartel, then they will experience lower output, price increase, and preventing the entry of new firms into the industry.

A cartel is defined as a group of independent producers, manufacturers, or suppliers of certain goods and services coming together illegally to collude formally or informally with the purpose of controlling and manipulating the output and market price of certain goods and services the provide, as well as to prevent newcomers from entering the industry, with the ultimate goal to increase their profits and total control of the market. A cartel formation is an illegal act because it puts consumers at a disadvantage by driving up the prices and creating scarcity in products and services.

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If a desk lamp requires 1 hour of fabrication and 2 hours of assembly, the amount of factory overhead that Kaumajet Factory will allocate to each unit of desk lamp using the multiple production department factory overhead rate method with an allocation base of direct labor hours if 26,000 units are produced is$11.10

Answers

The total amount of factory overhead that Kaumajet Factory will allocate to desk lamps using the multiple production department factory overhead rate method with an allocation base of direct labor hours if 26,000 units are produced is $288,600.

What is factory overhead?

Factory overhead, also known as manufacturing overhead, is the total cost of running all of a manufacturing company's production facilities that cannot be directly attributed to a product. It usually refers to indirect labor and indirect costs.

The calculation of  the factory overhead allocated to a unit using multiple department factory overhead rate methods with an allocation base of direct labor hours:-

Direct Labor Overhead rate for Fabrication = $550,000/500,000

                                                                      = $1.10

Direct Labor Overhead rate for Assembly = $400,000/80,000

                                                                        = $5

Overhead for desk lamps = (Direct labor hours in Fabrication x Direct Labor Overhead  rate for Fabrication + Direct Labor hours in Assembly x Direct Labor Overhead rate for Assembly)

                                           = (1x$1.10 + 2x$5)

                                           = $11.10

Total overhead for producing 26,000 units = $11.10×26,000

                                                                            = $288,600

Therefore, $288,600 is the total amount of factory overhead that Kaumajet Factory will allocate to desk lamps.

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Your question is incomplete, but most probably the full question was:

Kaumajet Factory produces two products: table lamps and desk lamps. It has two separate departments: Fabrication and Assembly. The factory overhead budget for the Fabrication Department is $550,000, using 500,000 direct labor hours. The factory overhead budget for the Assembly Department is $400,000, using 80,000 direct labor hours. If a desk lamp requires 1 hours of fabrication and 2 hour of assembly, the total amount of factory overhead that Kaumajet Factory will allocate to each unit of desk lamp using the multiple production department factory overhead rate method with an allocation base of direct labor hours if 26,000 units are produced is $11.10

if the consumer can prove that the act was done knowingly, the consumer may recover not only economic damages, attorney fees and court costs but also damages for mental anguish up to

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If the consumer can demonstrate that the action was taken intentionally, they are also entitled to compensation for their pain and suffering, which can be up to three times what they would have received int Economic damages

Compensation for monetary losses that can be objectively verified includes economic damages. These include past and future medical expenses, lost earnings in the past and future, lost use of property, repair or replacement costs, the economic value of household services, and lost business or employment opportunities. Pain and suffering, mental anguish, and loss of companionship are examples of general damages. General damages also include future losses brought on by a loss of earning potential or upcoming medical costs.

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Strategic planning looks at the organization as a whole, while planning focuses on specific supervisors, department managers, and individual employees a. corporate b. objective c. mission d. operational

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Operational planning concentrates on particular supervisors, department managers, and employees, whereas strategic planning examines the company as a whole. The right response in this case is option D.

The outcome of a team or department working to carry out a strategic plan is operational planning. In order to ensure the success of team-based activities created to support the strategic plan, it is a process that looks to the future and maps out department goals, capabilities, and budgets.

Effective workforce management requires an operational plan, which outlines the steps your various teams or departments must take to realize short-term aims and business objectives. The strategy is revised based on your requirements.

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The original plan for the project was for it to last one year at a cost of $100,000. Using the following information, calculate SPI, ETC, and EAC:
Planned Value: $45,000
Earned Value: $37,000
Cost variance: $12,000

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Estimated at Completion (EAC) = (Total Project Budget)/CPI, which equals $100,000 divided by 1.11, or $90,000.

$45,000 is the planned value (PV).

(AC) Actual Cost = $45,000

Earned Value (EV) is equal to $50,000 ($100,000 * 0.5).

Schedule Variance (SV) = EV-PV = $50,000 - $55,000 = -$5,000 (unfavorable since 0)

Schedule Performance Index (SPI) = EV/PV = $50,000/$55,000 = 0.91 (unsatisfactory due to 1)

Cost Variance (CV) equals EV – AC, or $50,000 – $45,000, or $5,000 (good because >0).

EV/AC = $50,000/$45,000 = 1.11 (excellent because >1) is the Cost Performance Index (CPI).

Estimated at Completion (EAC) = (Total Project Budget)/CPI, which equals $100,000 divided by 1.11, or $90,000.

The project is seen as being behind time because SV is negative and SPI is 1. Although the project is only 50% complete, we have budgeted for 55% of the costs to be incurred. The second half of the project will need to play catch-up.

The project is regarded as being under budget because the CV is positive and the CPI is greater than 1. We have completed 50% of the project, but only 45% of our budget has been used up to this point. The project's total cost (EAC), as opposed to our initial budget of $100,000, will only be $90,000 if it proceeds at this rate.

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in a recent super bowl, a tv network predicted that 29 % of the audience would express an interest in seeing one of its forthcoming television shows. the network ran commercials for these shows during the super bowl. the day after the super bowl, and advertising group sampled 90 people who saw the commercials and found that 30 of them said they would watch one of the television shows. suppose you are have the following null and alternative hypotheses for a test you are running: h0 : p

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The affirmation of an investigator is the claim, and we will use the statistical method of hypothesis tests to verify this affirmation. In addition, the procedure's error rate will be taken into account.

What is testing a hypothesis?

Two distinct hypotheses are tested by all analysts using a random population sample: the alternative hypothesis and the null hypothesis. Typically, the null hypothesis is a hypothesis that all population parameters are equal; For instance, a null hypothesis might assert that the population mean return is zero.

What are examples of hypothesis testing?

The formal methods statisticians use to determine whether a hypothesis can be accepted are referred to as hypothesis tests, as defined by us. An assumption about something is called a hypothesis. A hypothesis regarding family pets might, for instance, state that the typical number of dogs in an American household is two.

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you work for a company that offers their services through the internet. therefore, it is critical that your website performs well. as a member of the it technician staff, you receive a call from a fellow employee who informs you that customers are complaining that they can't access your website. after doing a little research, you have determined that you are a victim of a denial-of-service attack. as a first responder, which of the following is the next best step to perform?

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First you want to check out how the assault occurred, due to the fact if you do not be aware of the root reason how are you going to forestall it from happening again.

What are denial of service attacks?

"Denial of service" or "DoS" describes the ultimate purpose of a class of cyber assaults designed to render a service inaccessible. The DoS assaults that most people have heard about are those launched towards high profile websites, considering the fact that these are often suggested by way of the media.

What causes a denial of carrier attack?

A disbursed denial-of-service (DDoS) assault occurs when more than one structures flood the bandwidth or resources of a focused system, commonly one or more web servers. A DDoS attack uses extra than one unique IP address or machines, often from hundreds of hosts infected with malware.

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